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Corporate Treasury Manager (Debt Issuance & Financing)

REF J44510
Location: Dublin City
Employment Type: Permanent
Salary: Negotiable

Corporate Treasury Manager (Debt Issuance & Financing)

My client, a global services company, is currently seeking a Corporate Treasury Manager to join their newly created team in Dublin. This position will report to the International Treasurer.

The Job:
• Implement and renegotiation of bank borrowings
• Commercial papers issuance & follow up of the programmes
• M&A financing schemes
• Preparation of annual reviews
• Monitor short-term treasury forecast and international cash pooling
• Review of subsidiaries financing needs & proposals on their cash flow
• Validate and follow up the consolidated financial results

The Candidate:
• 8+ years' professional experience in corporate financing
• 5 years' strong experience in Debt capital markets with a corporate treasury
• Degree in finance or numerate discipline
• Professional qualification advantageous (ACT, ACA, ACCA, etc)
• Good knowledge of financial mathematics
• Ability to work independently & autonomously
• Strong analytical skills
• English a must (second European language a plus)
• Strong communication skills both written and oral

Suitable and qualified candidates, please get in touch with Alan at the enclosed address.

Interested in this position?

Speak with Alan Bluett about this role today.